Our healthcare client based out of Phoenix, AZ is seeking a full time employee to come aboard as a Cash Posting Manager within their group. The manager will have a team of 4 people onsite (which includes one team lead), and 2 individuals overseas. This role is onsite in Phoenix.
Daily cash reporting.
Aged accounts receivable balance and update.
Cash posting in GE.
Posting adjustments in GE
Identify low payments.
Ability to read and understand EOBs.
Timely reconciliation to bank records.
Ability to analyze claim data.
Access and batch daily lock box contents, clearinghouse remits and web based EOBs.
Compile all receipts information into cash sheets and send daily e-mail notification of daily and month to date cash totals to management.
Notify team and/or management of any trends related to partial payments, recoups, slow payments or other payer specific issue.
Perform all contracted adjustments per matrix and all other approved adjustments.
Demonstrate understanding of all correct payment rates and ensure incorrect payments are researched by follow up team.
Provide oversight for credit card processing and security.
Verify and process refunds timely and accurately
Balance daily and monthly receipts and generate appropriate day close and month close reports.
Responsible for continued research and follow up on "unapplied" monies.
Audit, investigate, and timely resolve accounts with credit balances and other balance issues submitted by staff and management.
Ability to create reports using Excel and/or Access